Compare Course Studies in Risk Management 2017 in London in United Kingdom

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Request Information Course Studies in Risk Management in London in United Kingdom 2017

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European School of Economics

CampusFull timeJanuary 2017United KingdomLondon

The ESE Specialised Programme in Finance is aimed at aspiring fund managers and professional investment analysts and examines the principles of financing and investment decisions and their impact across a broad range of contemporary management issues.
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Course Studies in Risk Management in London in United Kingdom. The ESE Specialised Programme in Finance is aimed at aspiring fund managers and professional investment analysts and examines the principles of financing and investment decisions and their impact across a broad range of contemporary management issues. Students not only examine the external causes and effects of wealth, but more importantly are urged to look at the invisible inner causes.
This programme provides a synthesis of financial policy into a strategy, which integrates organisational purpose and goals. The focus of the course is on current thinking regarding valuation of the firm, investment decision processes, financing, and dividend policy, asset management, financial strategies and portfolio theory. This course also covers financial analysis, planning, and the concept of risk. It includes the formation and use of current assets, working capital, and credit policy. Financial management includes the understanding of long term financing instruments and the capital structure.
Intake Dates: January, April, September
Course Structure
Students will take four of the following modules:
Multinational Corporate Finance
Mergers and Acquisitions
Value Assessment
Investment
Risk Management
International Project Management
Course Duration: One Academic Term
Mode of Delivery: Each module consists of 100 hours of learning; 30 hours are spent in lectures/seminars and the remaining time is devoted to directed learning activities, final assessment preparation and self-study.
Entry Requirements:
Application form, completed correctly
A first degree in a relevant subject or an equivalent level professional qualification*
Resume / CV + personal statement
Two letters of recommendation
IELTS/ TOEFL score
Three photographs (passport size)
Photocopy of passport/ID
Application fee (£50) - to be paid online here or addressed to the European School of Economics
NB: All non-English documents must be officially translated.
Internship Programme: Upon successful completion of the programme participants may opt to take a 3-month internship fitted to their profile and career objectives. An assessment with the ESE Placement Officer will determine their eligibility for a placement.
Professional Advantages: Participants who complete this course will hone their skills in their current employment or expand their professional opportunities in the fields of fund management and investment analysis.
Credits & Recognition: Upon completion of the programme, participants will be awarded an ESE Certification of successful completion of the programme.
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London Business School

Provide with the overview of credit risk market and practical application of modelling techniques.
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Programme overview

Providing insight and applications essential to the informed practitioner

Combining technical depth with real-world relevance, the programme has been designed to provide participants with a balanced overview of the credit risk market, the instruments traded and the practical application of modelling techniques.

Credit Risk Management presents an in-depth understanding of credit risk and credit related instruments, and hands on experience in using data and models to assess credit risk to value the associated derivatives.

It aims to provide a balance between developing, on one hand, a sound conceptual framework and, on the other, market understanding and insight....
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